News
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July 12, 2022
Federal Reserve Chair Powell Testifies on Capitol HillIn June, Federal Reserve Board Chair Jerome Powell testified on Capitol Hill regarding the Fed's semiannual monetary policy report to Congress. The hearings focused primarily on inflation, price stability, the job market, and economic conditions broadly.
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July 11, 2022
K&L Gates Releases Q&A on Proposed ESG Reforms for Registered FundsAfter the SEC's recently proposed disclosure and reporting requirements for registered funds that use environmental, social, and governance (ESG) factors in their investment practices, K&L Gates released a fund alert addressing the potential challenges imposed by the SEC approach.
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July 7, 2022
SEC Semiannual Regulatory Agenda ReleasedThe SEC recently released the Spring 2022 semiannual regulatory agenda which includes the SEC initiatives listed in the proposed rule and final rule stage, as well as listing the estimated date of action anticipated by the SEC, although actual SEC action could be earlier or later.
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July 6, 2022
Senate Banking Committee Receives Testimony on INDEX ActThe Senate Banking Committee held a hearing to examine the INDEX Act which would require investment advisers for passively managed funds to arrange for pass-through voting of proxies for certain securities. The conversation focused on the impact the largest three passive fund managers have on the proxy voting process.
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July 5, 2022
Gensler Delivers Remarks on Investor Protection at NASAA ConferenceIn remarks, SEC Chair Gary Gensler highlighted the importance of brokers and advisers complying with standards on care, loyalty, best interest, and best execution.
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June 30, 2022
SEC to Launch “Game Show-Themed” Public Service CampaignThe SEC plans to launch a game show-themed public service campaign to encourage investors to “research investments and get information from trustworthy sources to understand the risks before investing.”
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June 29, 2022
Fed Vice Chair Brainard Testifies on Central Bank Digital CurrencyThe House Financial Services Committee heard testimony from Federal Reserve Vice-Chair Lael Brainard regarding the establishment of a U.S. Central Bank Digital Currency. The hearing focused on the utility of a CBDC, authorizing legislation, access to CBDC by the unbanked and underbanked, and the risk to depository institutions, specifically smaller community banks if there is a transition to a digital currency.
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June 28, 2022
SEC Announces New Members to Investment Advisory CommitteeThe SEC recently announced eight new members to fill all vacancies on the Investor Advisory Committee. The new members will join the fifteen current Committee members, and will serve four-year terms.
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June 27, 2022
SEC Denies NYSE Arca Rule Change for Spot Price Bitcoin ETFThe Commission recently denied a requested rule change by NYSE Arca to list and trade shares of a proposed carbon-neutral spot bitcoin exchange-traded fund, the One River Carbon Neutral Bitcoin Trust.
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June 23, 2022
SEC’s Division of Enforcement Announces Settlement in Variable Annuity Exchange InvestigationIn the first enforcement action under Section 11 of the Investment Company Act of 1940, which regulates variable annuity exchanges, the SEC settled charges against RiverSource Distributors, Inc. for improper switching or replacing of variable annuities.
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June 22, 2022
Senator Warren Releases SPAC Report, Announces Plans for LegislationSenator Elizabeth Warren (D-MA) released a new, 26-page report on Special Purpose Acquisition Companies (SPACs) that covers how SPACs are structured, SPAC fees, fraud in SPAC disclosures, and self-dealing by SPAC creators and sponsors.
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June 21, 2022
Fifth Circuit Federal Court of Appeals Holds SEC Administrative Proceedings UnconstitutionalRecently, in Jarskey v. SEC, the Fifth Circuit Court of Appeals held that administrative enforcement proceedings before administrative law judges (ALJs) are fundamentally unconstitutional.
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June 16, 2022
Gensler Testifies at House Appropriations Hearing on SEC FY2023 BudgetSEC Chair Gary Gensler testified during a House Appropriations Committee subcommittee hearing as part of the FY2023 congressional appropriations process. Gensler’s comments focused on the need for an increased budget at the SEC, the length of comment periods for rule proposals, and ESG related issues.
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June 15, 2022
SEC Announces New Head of Division of ExaminationsThe Securities and Exchange Commission announced the appointment of Richard Best to serve as the Director of the Division of Examinations.
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June 14, 2022
SEC Charges Investment Adviser for Misstatements and Omissions on ESG Investment Quality ReviewsThe SEC charged BNY Mellon Investment Adviser, Inc. for misstatements and omissions about the use of ESG considerations when making investment decisions for certain mutual funds that it managed. The SEC Order found that BNY Mellon Investment Adviser represented or implied in numerous statements that all investments in the related funds underwent an ESG quality review, even though that was not always the case.
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June 13, 2022
Senate Banking Committee Holds Hearing for Fed, SEC NomineesThe Senate Banking Committee held a hearing to examine the nominations of Michael Barr to serve as the Federal Reserve Vice-Chair for Supervision, Jaime Lizárraga to serve as a Commissioner at the SEC, and Mark Uyeda to serve as a Commissioner at the SEC.
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June 9, 2022
CFTC Releases Request for Information on Climate-Related Financial RiskThe CFTC unanimously voted to release a Request for Information (RFI) that seeks public comment on climate-related financial risk to “better inform its understanding and oversight of climate-related financial risk as pertinent to the derivatives markets and underlying commodities markets.”
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June 8, 2022
Embracing the Digital EraThe article makes several suggestions to address generational changes in the boardroom that might be helpful to some fund boards.
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June 7, 2022
Public Companies Push Back on Proposed Rules for Cyber DisclosureWhile some companies voiced broad support for an SEC reporting regime, others pushed back noting public disclosures could result in additional compliance costs, confusion while responding to breaches in real-time, and volatility in stock pricing.
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June 6, 2022
ICI, ICI Mutual Release Claims Trends ReportRegulatory matters, closed-end fund matters, and fund shareholder demands for inspection of books and records constituted the most common subjects of claims notices submitted under D&O/E&O policies in 2021, according to the report.
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